About the job
- Formulate and execute financial strategies aligned with the Company's business goals.
- Lead and mentor the Finance team, ensuring a high-performance environment.
- Act as a strategic business partner, collaborating with management and various departments to enhance business initiatives and operational efficiencies.
- Oversee daily financial operations, including resource planning, forecasting, and budget management.
- Strategically plan and monitor the annual financial budget, capital investments, liquidity, and funding to optimize working capital and mitigate financial risks.
- Continuously evaluate financial performance against strategic objectives by providing forecasts, reviews, and analyses. Identify and address deviations and potential challenges to maintain business momentum.
- Work closely with the Sales department to prepare weekly revenue reports, ensuring alignment with forecasts and plans.
- Enhance financial performance by delivering and analyzing management information, identifying business issues, and implementing viable solutions.
- Manage daily operations in finance, accounting, and tax to ensure compliance, accuracy, and thoroughness of records and reports.
- Lead the finance team in achieving timely monthly and annual financial statements.
- Maintain relationships with external auditors, consultants, tax authorities, banks, and stakeholders through effective communication.
- Manage cash flow effectively, including monitoring cash balances and optimizing working capital usage.
- Oversee the implementation of risk management, compliance, budget control, and cost management initiatives.
- Drive continuous improvements in accounting, reporting, and internal control processes to enhance stakeholder value.
- Assist with various ad hoc tasks and projects as required.

